ERSTE FUTURE INVESTGlobal equity fund, focusing on promising future trends |
2024/04/17 | ||
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NAV | Issue price | |
2,784.4600 | - | |
Difference | -1.46% (-41.32) |
General attributes | |
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Fund type | Equity Funds |
Investment company | Erste Asset Management GmbH |
Currency | CZK |
Type | VT |
Begin of subscription period | - |
Inception | 2019/10/10 |
Licenced in | AT,CZ |
Duration of fund | open end |
Distribution | 09/01 |
Total assets | 586,493,724.70 |
Fiscal year | 06/01 - 05/31 |
Initial charge | 3.00% |
Management fee | 1.80% |
Ongoing charges | 1.69% |
Minimum investment | According to offer |
Account number | - |
Recommended holding period | At least 6 years |
Investor experience | - |
Investor tolerance | 4 (scale 1-7) |
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The chart shows the current fund share unit price (NAV) of the nominal value of an investment company proclaimed on that working day.
Performance since inception. Performances under 12 month have only little informative value because of the short maturity. Information about previous performance does not guarantee future performance. Source: Česká spořitelna, a. s. |
Advantages | Details you should be aware of |
Participation in global, promising future topics ("megatrends"). Investment in an actively managed portfolio consisting of quality and growth stocks. Risk diversification across multiple countries and industries. | The securities in the portfolio may be subject to increased price fluctuations. Due to investments denominated in foreign currencies, the net asset value of the fund can be negatively impacted by currency fluctuations. Capital loss is possible. Risks that may be significant for the fund are in particular: credit and counterparty risk, liquidity risk, custody risk, derivative risk and operational risk. Comprehensive information on the risks of the fund can be found in the prospectus or the information for investors pursuant to § 21 AIFMG, section II, "Risk information". |
Secondary market |
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Purchase of share certificates |
Risk notes according to 2011 Austrian Investment Fund Act |
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Unless explicitly noted otherwise, performance figures for periods of less than ten years always start from the launch of the fund. Performance figures for periods of less than 12 months in particular are not indicative of a fund’s development due to their short-term nature. |
Disclaimer |
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The full names of the open-ended mutual funds and complete product information are provided in the statutes (prospectuses) of the funds. The information stated herein is of the nature of a promotional message. The information stated in this message is not an investment recommendation or investment advice since it does not take into account the specific situation of specific investors. The value of the financial instruments may rise and fall, while there is no guarantee of a return on the originally invested amount. Past performance is no guarantee of the same performance in a future period. A visitor to this website may be outside the target market of the financial instruments stated herein. We recommend that you consult your specific investment plan with an expert advisor who will verify that the planned investment will be commensurate with your knowledge and experience, that it will be in accordance with your needs, characteristics and goals, financial circumstances or relation to risk, and will familiarise you with all possible risks of a specific investment opportunity. |